Burnaby, BC, Canada
4 days ago
Accounting Specialist

When you join RB Global you will be part of a diverse, global team that is focused on delivering great customer experiences. Our culture is centered around people and guided by our core values of Integrity, Unity and Vision. 

If you have 1-3 years of professional experience, preferably in a finance role and are passionate about making a difference, we invite you to join our growing team and be help us achieve our vision of becoming the trusted global marketplace for insights, services and transaction solutions for commercial assets.nments are paid on time and that appropriate remittance process and systems are adhered to.Yellow- Should we be this specific.

1-3 years of relevant experience preferred in an accounting or finance role. Experience working with ERP systems ex. Oracle Cloud, Salesforce Proficiency with Microsoft Excel and Word. Excellent verbal and written communication skills in English. Excellent interpersonal skills and ability to build relationships. Outstanding analytical and problem-solving skills.  Organized, detailed-oriented and able to multi-task in a fast-paced environment. Excellent time management skills and the ability to always meet deadlines. Self-motivated and able to work unsupervised. Demonstrated experience working well as a member of a team. A solid work ethic, without sacrificing your sense of humor or your ability to have fun on the job. Hybrid role. Compensation for this position starts at: $51,600.0 Record payments and prepare bank reconciliation, identify and investigate any banking discrepancies and reconcile unidentified payments. Process refunds for overpayments, bid deposits, post-sale adjustments and tax credits. Create invoices to bill customers, consignors, and inter-company subsidiaries. Review the aging of accounts receivable and set up allowance for doubtful accounts (AFDA) in accordance with company policy.  Assist with month end closing and reporting. Investigate and resolve any unpaid post-sale settlements. Perform monthly reconciliations. Review contractual agreements.  Verify and process consignment files to create settlement statements and issue accurate payment for consignments in accordance with the company’s contractual obligations. Liaise with Search and Review departments to continually monitor files ready for settlement statements, post-sale changes and corrections for price adjustments, deductions and bill for deficiencies. Run and analyze lien searches. Assist sites in collection efforts. Verify and process consignment files to create settlement statements and issue accurate payment for consignments in accordance with the company’s contractual obligations. Ability to work additional hours as needed. 
Confirm your E-mail: Send Email